Remittance Form Sample Clauses

Remittance Form. (Appendix 2) Along with the remittance, the Producer shall enclose a detailed report in conformance with Appendix 2 (Remittance Form), including the Director’s or Second Unit Director’s name and address, the Producer’s name and address, the title of the production, the amount of remuneration paid to the Director or Second Unit Director, and a copy of the remuneration cheque.
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Remittance Form. (Appendix 2)
Remittance Form. Subscriber shall submit the annual Subscription Fee to WCMRC with an executed Remittance and Renewal Confirmation in the form attached hereto as Schedule D (or such other form as WCMRC may direct from time to time).
Remittance Form. ‌ The document attached to the sums paid to AQTIS by the producer (in his own name or for the technicians) and which provides, on an individual basis, details of the sums paid.

Related to Remittance Form

  • Remittance The dues and other authorized deductions shall be remitted by the University to the UFF State Office on a biweekly basis within thirty (30) days following the end of the pay period. Accompanying each remittance shall be a list of the employees from whose salaries such deductions were made and the amounts deducted. This list shall be provided in machine-readable form.

  • Remittances On each Remittance Date the Company shall remit by wire transfer of immediately available funds to the Purchaser (a) all amounts deposited in the Custodial Account as of the close of business on the Determination Date (net of charges against or withdrawals from the Custodial Account pursuant to Section 4.05), plus (b) all amounts, if any, which the Company is obligated to distribute pursuant to Section 5.03, minus (c) any amounts attributable to Principal Prepayments received after the applicable Principal Prepayment Period which amounts shall be remitted on the following Remittance Date, together with any additional interest required to be deposited in the Custodial Account in connection with such Principal Prepayment in accordance with Section 4.04(viii), and minus (d) any amounts attributable to Monthly Payments collected but due on a Due Date or Dates subsequent to the first day of the month of the Remittance Date, which amounts shall be remitted on the Remittance Date next succeeding the Due Period for such amounts. With respect to any remittance received by the Purchaser after the second Business Day following the Business Day on which such payment was due, the Company shall pay to the Purchaser interest on any such late payment at an annual rate equal to the Prime Rate, adjusted as of the date of each change, plus three percentage points, but in no event greater than the maximum amount permitted by applicable law. Such interest shall be deposited in the Custodial Account by the Company on the date such late payment is made and shall cover the period commencing with the day following such second Business Day and ending with the Business Day on which such payment is made, both inclusive. Such interest shall be remitted along with the distribution payable on the next succeeding Remittance Date. The payment by the Company of any such interest shall not be deemed an extension of time for payment or a waiver of any Event of Default by the Company.

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